American Tower Corporation

NYSE:AMT

197.87 (USD) • At close November 7, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,093.42,028.41,949.91,746.31,501.21,208.7802.1787.161320.686313.492293.576368.618330.191883.963247.293143.07733.123281.264112.701215.557105.465127.29235.95882.03825.212186.1754.596
Kortetermijnbeleggingen 00000014.02606.30218.6126.01822.2746.4289.7762.0287.22422.98600170.036000000
Liquide middelen en kortetermijnbeleggingen 2,093.42,028.41,949.91,746.31,501.21,208.7803.1791.187320.686319.794312.188374.636352.461930.391257.069145.10540.347304.25112.701215.557105.465127.29235.95882.03825.212186.1754.596
Nettovorderingen 669.7758.3728.9511.6462.2459513.6308.369227.354198.714151.084136.971100.97180.96167.94951.31340.31629.36836.99538.63477.668107.265229.065237.66371.84516.853.239
Voorraad 0112.3393.4115.176.896.2152.8149.281142.193174.838175.31795.070-2.693000031.35951.457218.2639.09249.33247.87211.26200
Overige vlottende activa -2,763.1723.3657.2532.6513.6621.2568.6441.033306.235254.622314.067222.851389.339392.822326.338277.262165.011152.40444.8233.38910.119234.724207.852103.57915.5354.560.852
Totaal vlottende activa 3,7103,622.33,729.42,905.62,553.82,385.12,038.11,689.87996.468947.968952.656829.528842.7711,401.481651.356473.68245.674486.022225.878309.037411.515536.253522.207471.152139.407207.5858.687
Niet-vlottende activa:
Materiële vaste activa, netto 19,788.828,917.229,009.120,597.919,441.811,247.111,10110,517.2589,866.4247,626.8177,262.1755,789.9954,883.4733,623.8353,175.5113,022.6363,045.1863,218.1243,460.5262,273.3562,546.5252,734.8853,287.5732,296.671,092.346449.476117.618
Goodwill 12,63912,956.713,350.17,282.76,178.35,501.95,638.45,070.684,091.8054,017.0823,729.9012,912.0462,805.2672,490.2952,237.852,186.2332,188.3122,189.7672,142.551592.683592.683000000
Immateriële activa 16,520.717,983.320,727.213,839.812,318.411,174.311,783.311,274.6119,837.8766,889.3316,701.4593,115.0532,351.9551,985.3521,598.6331,566.1551,686.4341,820.8764,219.8631,577.9861,649.761,745.5042,507.9112,505.6811,403.897718.68.424
Goodwill en immateriële activa 29,159.730,94034,077.321,122.518,496.716,676.217,421.716,345.29113,929.68110,906.41310,431.366,027.0995,157.2224,475.6473,836.4833,752.3883,874.7464,010.6434,219.8631,577.9861,649.761,745.5042,507.9112,505.6811,403.897718.68.424
Langetermijnbeleggingen 3,620.729.22,539.62,084.31,771.11,581.71,4991,289.531,166.7551,030.707918.847776.201000000000000000
Belastingvorderingen 179.1129.2131.6123.1131.8157.7204.4195.678212.041253.186262.529213.518245.60778.484198.185381.428479.854482.71504.659633.814449.18383.431245.215140.395114.252109.4180
Overige niet-vlottende activa 9,569.33,556.6400.9400.1406.4962.6950.1841.523732.903566.454445.004452.7881,103.357785.874651.133581.533484.997415.72357.294291.779275.508262.13266.817246.781268.96417.264120.627
Totaal niet-vlottende activa 62,317.663,572.266,158.544,327.940,247.830,625.331,176.229,189.2825,907.80420,383.57719,319.91513,259.60111,389.6598,963.847,861.3127,737.9857,884.7838,127.1978,542.3424,776.9354,920.9735,125.956,307.5165,189.5272,879.4591,294.758246.669
Totaal activa 66,027.667,194.569,887.947,233.542,801.633,010.433,214.330,879.1526,904.27221,331.54520,272.57114,089.12912,232.4310,365.3218,512.6688,211.6658,130.4578,613.2198,768.225,085.9725,332.4885,662.2036,829.7235,660.6793,018.8661,502.343255.356
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 258.7218.6272.4139.1148.1130.8142.9118.66696.71490.366171.0589.578214.739292.543185.138151.985175.464187.634175.558121.672107.557110.4350.12574.04625.5646.6963.738
Kortlopende schulden 3,982.15,303.15,281.31,329.73,422.72,754.8774.8238.80650.202897.62470.13260.031101.81674.89670.5211.8371.817253.907162.153138.38677.622270.14212.58511.1784.7361.6520.11
Belastingschulden 316.5299.9340.1239.7253.3229.8195149.91275.82761.20654.52936.814000000000-379.40300000
Uitgestelde opbrengsten 434.7439.71,204390.6294.3304.1268.8245.387211.001233.819161.926124.14793.099134.135112.047120.188106.39586.76977.65532.68159.73477.593124.796164.31477.26255.555.406
Overige kortlopende verplichtingen 2,573.82,350.52,309.61,796.11,622.61,500.21,325.61,028.41842.112707.883521.65358.422369.93740.62123.53828.63533.70241.31937.8539.46649.865212.129155.20848.24817.42551.7371.752
Totaal kortlopende verplichtingen 7,249.38,311.99,067.33,655.55,487.74,689.92,512.11,631.2691,200.0291,929.692924.758632.178779.591542.195391.244302.645317.378569.629453.216332.205294.778670.294342.714297.786124.987115.63511.007
Langlopende verplichtingen:
Langetermijnschulden 43,172.741,747.946,727.335,382.127,637.618,405.119,430.318,294.65917,068.80713,711.08414,408.1468,693.3457,134.4925,512.4924,141.064,331.3094,283.4673,289.1093,451.2763,155.2283,283.6033,194.5373,549.3752,457.045736.086279.47790.066
Uitgestelde opbrengsten niet-vlottend 434.7489.5540.2576.1525.9504.6509.2457.272451.844415.809278.295164.032000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,361.41,4921,830.9859.5768.3535.9898.1777.572405.092193.226248.574271.692000000000000000.418
Overige niet-vlottende verplichtingen 2,944.12,744.72,652.61,979.81,795.21,970.51,910.31,650.9581,065.6821,028.382822.758643.701908.205806.076662.239580.075504.178365.974327.354121.50523.96141.48254.50112.4724.05711.3690.033
Totaal niet-vlottende verplichtingen 47,912.946,474.151,75138,797.530,72721,416.122,747.921,180.46118,991.42515,348.50115,757.7739,772.778,042.6976,318.5684,803.2994,911.3844,787.6453,655.0833,778.633,276.7333,307.5643,236.0193,603.8762,469.517740.143290.84690.517
Totaal passiva 55,162.254,78660,818.342,45336,214.726,10625,26022,811.7320,191.45417,278.19316,682.53110,404.9488,822.2886,860.7635,194.5435,214.0295,105.0234,224.7124,231.8463,608.9383,602.3423,906.3133,946.592,767.303865.13406.481101.523
Eigen vermogen:
Preferente aandelen 00000000.0740.0740.0600000000000000000
Gewone aandelen 4.84.84.74.64.54.54.44.2994.2673.9953.9763.9593.9364.864.7974.6854.5274.3784.1562.2972.2011.9581.9541.8051.5581.0830.356
Ingehouden winsten -3,638.8-2,101.9-1,142.4-1,343-1,016.8-1,199.5-1,058.1-1,076.965-998.535-837.32-1,081.467-1,196.907-1,481.676-1,736.596-2,109.532-2,356.127-2,703.373-2,733.92-2,710.993-2,539.403-2,190.447-1,887.03-745.151-295.057-100.429-49.702-2.86
Overige gereserveerde algehele resultaten -5,739.5-5,718.3-4,738.9-3,759.4-2,823.6-2,642.9-1,978.3-1,999.332-1,836.996-794.221-311.22-183.347-142.61738.053-12.649-20.031-3.62616.079-3.3-996.973-6.72-12.284-22.777-195.345-72.49-23.007-2.94
Overige totale aandeelhoudersvermogen 13,571.713,387.810,957.89,191.38,891.39,17410,331.69,835.8199,482.8695,581.0464,922.8764,949.3964,903.85,195.1275,432.4665,362.7955,724.5647,098.3797,236.7175,005.0323,906.5133,637.6793,635.173,365.6272,316.4441,163.372158.65
Totaal eigen vermogen van aandeelhouders 4,198.25,572.45,081.24,093.55,055.45,336.16,241.56,763.8956,651.6793,953.563,534.1653,573.1013,283.4433,501.4443,315.0822,991.3223,022.0924,384.9164,526.581,470.9531,711.5471,740.3232,869.1962,877.032,145.0831,091.746153.207
Totaal eigen vermogen 10,865.412,408.59,069.64,780.56,586.96,904.47,954.38,067.426,712.8184,053.3523,590.043,684.1813,410.1423,504.5583,318.1252,994.4793,025.4344,388.5074,536.3741,477.0341,730.1461,755.892,883.1332,893.3762,153.7361,095.862153.833
Totaal passiva en aandeelhoudersvermogen 66,027.667,194.569,887.947,233.542,801.633,010.433,214.330,879.1526,904.27221,331.54520,272.57114,089.12912,232.4310,365.3218,512.6688,211.6658,130.4578,613.2198,768.225,085.9725,332.4885,662.2036,829.7235,660.6793,018.8661,502.343255.356